Examinando por Materia "stock market"
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Publicación Acceso abierto Efecto de la publicación de resultados financieros sobre la tendencia en bolsa de las acciones del grupo nutresa. 2015-2019(2019-08-13) Arrieta Ballesta, Diana Rosa; Ortega Soraca, YurisThis monograph focuses on the quarter to quarter analysis and monitoring of the financial statements of the Nutresa Group, specifically the balance sheet and the income statement, through which some profitability indicators such as ROE and ROA are applied. In the same way, Ebitda and its margin are established on the company’s operating in come. However, on the other hand, a fundamental type analysis is carried out on the stock market Price of the shares of Grupo Nutresa and how it has been during the 2015-2019 period, in the same way it is evidenced as the changes presented in their financial statements are reflected in the Price of the shares themselves. That is, investors take into account the results reflected in the financial statements, for the purchase of shares, it can be said that in some way the are assured that their investment is generating the expected profit. Then it can be affirmed that the financial statements do intervene in any way in the Price of the shares of Grupo Nutresa.Publicación Acceso abierto Influencia del brexit en el aumento de los índices de volatilidad del euro-libra(2019-08-14) Almentero Kerguelen, Sandra; Lopez Ordoñez, JhonIn this report we will detail how Brexit influenced the alteration of the volatility indexes of the Euro concerning the Pound, making a brief review of the behavior of this currency before this event, during the same and specifying the changes that underwent its passage. An event that significantly altered the volatility of the stock market was Brexit which is a term that abbreviates the words Britain (Great Britain) and Exit (exit) and consists of the exit of the United Kingdom from the European Union, decision taken in June 2016 after the signing of a referendum, the British decided to leave the European Union after 4 decades of relations. In the stock market context, volatility is linked to financial markets, especially when stocks decline or increase unexpectedly, that is when we show that Volatility increases, therefore, volatility is the way to monitor the standard deviation of the variation of the price of a given financial asset in a specific time. To carry out the aforementioned monitoring, the market relies on different indicators that are: True Range Average (ATR), Bollinger Bands (BB) and Keltner Channels (KC)